Import core company wallets, business wallets (Layer 1 and Layer 2).

Achieve real-time monitoring of corresponding account balances and Proof of Reserves (POR), automatically import and update historical transaction data.

Automate accounting and reconciliation processes to generate monthly financial reports: financing, revenue, expenses, profit, funds, etc.

Automate daily reconciliation of funds in bridge operations: reconciliation of Layer 1 and Layer 2 fund balances.
